First Eagle Investment Management Portfolio

First Eagle Investment Management 13F filer (CIK 0001325447).

LargeHigh Turnover how tags are computed

Q2 2024 · 394 positions · Total reported value $44.60B · Top-10 concentration 32.5%

Turnover: 37.6% · 39 new · 94 cut · 41 exited

In its Q2 2024 13F filing, First Eagle Investment Management disclosed 394 equity positions with a combined reported value of $44.60B. The filing implies a moderately concentrated portfolio: its ten largest positions account for 32.5% of reported value. HoldingsHub classifies the profile as Large / High Turnover.

The largest disclosed positions as of Q2 2024 were ORCL ($1.99B), META ($1.79B), XOM ($1.51B). By sector, the heaviest allocations are Technology 22.5%, Health Care 14.8%. Versus the prior quarter, allocation shifted toward Technology (+1.4pp), Health Care (+1.0pp) and away from Other (-0.5pp), Energy (-0.8pp).

Versus the prior quarter, First Eagle Investment Management opened 39 new positions, trimmed 94 and fully exited 41, a turnover rate of 37.6% of positions. The portfolio's overlap with the prior quarter was 89% of names.

Figures come from the fund's SEC Form 13F filing. 13F reports are filed within 45 days of quarter end and cover long positions of $100,000 or more; they exclude short positions and non-13F asset classes, so treat this page as a quarter-end snapshot rather than the fund's live book.

Sector Allocation

Technology 22.5%
Health Care 14.8%
Industrials 11.4%
Energy 10.1%
Financials 9.4%
Materials 7.0%
Other 18.2%
Sort by: Value Shares Weight Sector Change · CSV
# Symbol Company Shares Value Weight Change
1 ORCL ORACLE CORP 14.13M $1.99B 4.47% Hold
2 META META PLATFORMS INC. CLASS A 3.55M $1.79B 4.01% Hold
3 XOM EXXON MOBIL CORP 13.15M $1.51B 3.40% Hold
4 IMO IMPERIAL OIL LTD 21.86M $1.49B 3.34% Reduce
5 HCA HCA HEALTHCARE INC 4.49M $1.44B 3.24% Hold
6 WTW WILLIS TOWERS WATSON PLC LTD 5.38M $1.41B 3.16% Reduce
7 SLB SLB LIMITED 26.86M $1.27B 2.84% Hold
8 CMCSA COMCAST CORP NEW 31.83M $1.25B 2.79% Reduce
9 GOOG ALPHABET INC 6.70M $1.23B 2.75% Hold
10 ELV ELEVANCE HEALTH INC FORMERLY 2.06M $1.12B 2.50% Add
11 WPM WHEATON PRECIOUS METALS CORP 21.11M $1.11B 2.48% Reduce
12 TSM TAIWAN SEMICONDUCTOR MANUFAC 6.28M $1.09B 2.45% Reduce
13 PM PHILIP MORRIS INTL INC 10.66M $1.08B 2.42% Add
14 FMX FOMENTO ECONOMICO MEXICANO S 9.58M $1.03B 2.31% Reduce
15 CHRW C H ROBINSON WORLDWIDE INC 11.47M $1.01B 2.27% Hold
16 GOLD GOLD COM INC 57.03M $951.33M 2.13% Reduce
17 BK BANK OF NY MELLON CORP 15.71M $940.93M 2.11% Reduce
18 CL COLGATE PALMOLIVE CO 9.03M $875.87M 1.96% Reduce
19 ADI ANALOG DEVICES INC 3.83M $874.42M 1.96% Hold
20 UHS UNIVERSAL HLTH SVCS INC 4.63M $855.68M 1.92% Hold
21 TXN TEXAS INSTRS INC 4.25M $826.02M 1.85% Reduce
22 GLD SPDR GOLD TR 3.44M $739.05M 1.66% Reduce
23 MDT MEDTRONIC PLC 9.38M $738.03M 1.66% Hold
24 NEM NEWMONT CORP 17.11M $716.35M 1.61% Reduce
25 NOV NOV INC 36.68M $697.30M 1.56% Hold
26 CRM SALESFORCE INC 2.62M $674.80M 1.51% Add
27 BDX BECTON DICKINSON & CO 2.80M $655.15M 1.47% Add
28 EQR EQUITY RESIDENTIAL 9.30M $644.96M 1.45% Hold
29 ABEV AMBEV SA 310.14M $635.79M 1.43% Reduce
30 GOOGL ALPHABET INC 3.34M $609.24M 1.37% Reduce
31 AXP AMERICAN EXPRESS CO 2.60M $601.37M 1.35% Hold
32 BRKA BERKSHIRE HATHAWAY INC DEL 919 $562.65M 1.26% Hold
33 CMI CUMMINS INC 2.00M $553.17M 1.24% Hold
34 FLS FLOWSERVE CORP 10.76M $517.54M 1.16% Hold
35 NTR NUTRIEN LTD 9.48M $482.49M 1.08% Reduce
36 HYG ISHARES TR 6.20M $478.27M 1.07% New
37 RGLD ROYAL GOLD INC 3.58M $448.69M 1.01% Add
38 AEM AGNICO EAGLE MINES LTD 6.65M $434.96M 0.97% Reduce
39 WY WEYERHAEUSER CO 14.19M $402.99M 0.90% Hold
40 DIS DISNEY WALT CO 4.04M $401.14M 0.90% Hold
41 FNV FRANCO NEV CORP 3.26M $386.60M 0.87% Add
42 IPGP IPG PHOTONICS CORPORATION 4.26M $359.09M 0.81% Hold
43 USB US BANCORP 8.91M $353.58M 0.79% Hold
44 EXPD EXPEDITORS INTERNATIONAL OF WASHINGTON INC. 2.78M $346.56M 0.78% Add
45 XRAY DENTSPLY SIRONA INC 13.07M $325.57M 0.73% Add
46 FNF FIDELITY NATIONAL FINANCIAL 6.07M $300.13M 0.67% Hold
47 MSFT MICROSOFT CORP 659.20K $294.63M 0.66% Hold
48 OKE ONEOK INC NEW 3.45M $281.50M 0.63% Hold
49 BRO BROWN & BROWN INC 3.10M $277.39M 0.62% Hold
50 ROST ROSS STORES INC 1.81M $263.15M 0.59% Hold